Financial Ratios for Analysis 2009-2024 | VGR

Fifteen years of historical annual and quarterly financial ratios and margins for (VGR).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
3.522.802.852.341.481.803.003.602.703.541.453.271.622.322.61
2.182.392.511.911.961.631.351.261.141.021.041.121.201.081.01
-1.85-1.75-1.66-2.09-2.35-3.06-3.93-5.07-8.26-52.36-36.34-10.04-6.66-15.11-108.89
32.2230.7036.9633.2930.7930.8932.0635.1033.0431.0628.9724.0321.2220.5227.96
23.0323.5326.2523.9620.9611.9813.0413.8712.0613.3510.3014.1412.6510.4717.86
23.0323.5326.2523.9620.9611.9813.0413.8712.0613.3510.3014.1412.6510.4717.86
23.5224.0327.5930.1422.5512.9914.0715.1913.6114.8911.4715.1113.5811.4819.16
17.4415.3117.2014.7311.174.254.937.486.505.175.624.9010.878.053.56
12.8911.0117.987.368.352.734.344.073.472.253.452.746.484.983.10
1.521.591.400.910.741.211.361.201.291.120.851.011.221.121.09
10.5010.808.138.407.8514.2013.6812.2212.8312.158.208.298.177.895.86
53.8629.3345.1975.2230.2954.6144.4148.4462.0059.8088.8260.7832.9357598.97
6.7812.448.084.8512.056.688.227.545.896.104.116.0111.090.633.69
-24.74-19.64-17.49-19.24-13.71-10.60-27.35-30.51-54.41-237.50-171.45-38.64-84.26-116.98-529.82
-21.61-17.34-15.51-16.54-9.88-7.13-15.14-15.00-17.22-16.90-12.49-16.40-38.17-35.18-22.11
19.6517.4716.899.456.243.746.835.505.193.452.932.828.095.703.37
29.1327.2526.4217.6013.196.719.677.797.574.876.054.5016.559.005.13
-4.76-5.22-5.47-4.30-4.63-3.88-2.35-1.80-0.85-0.15-0.17-0.66-0.80-0.42-0.04
1.371.191.671.780.841.240.900.681.010.820.420.710.310.580.05
1.301.121.591.650.761.120.760.490.930.640.320.610.380.380.02

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.432.653.522.052.132.312.801.822.042.352.852.212.292.182.341.921.601.461.481.051.142.071.801.261.361.413.002.612.973.463.603.613.682.752.703.003.233.373.542.632.472.231.452.172.973.343.272.192.241.461.621.821.842.342.322.092.472.422.612.631.651.15
2.082.172.182.262.362.392.392.462.462.502.511.691.731.881.911.901.922.061.962.142.061.721.631.761.651.571.351.341.291.271.261.191.171.181.141.061.000.981.021.011.031.011.041.311.191.161.121.211.231.321.201.141.101.111.081.071.041.031.010.980.990.98
-1.93-1.86-1.85-1.79-1.74-1.72-1.75-1.69-1.69-1.67-1.66-2.47-2.39-2.16-2.09-2.12-2.10-2.23-2.35-2.27-2.39-2.46-3.06-2.83-3.09-3.32-3.93-3.99-4.48-4.76-5.07-6.34-7.15-6.66-8.26-18.26-621.7639.89-52.36-145.13-38.15-80.92-36.34-4.34-6.48-7.52-10.04-6.00-5.53-4.32-6.66-8.53-11.32-10.98-15.11-15.05-29.98-38.96-108.8949.7215669.42
34.2332.8633.8432.5331.9130.4831.9429.3629.9531.8035.1937.2036.6439.1536.8731.6331.6031.6534.7631.5631.6232.0531.5729.8830.8931.4031.3430.2333.2833.5533.6633.9135.2837.9132.0134.2332.9132.9130.1931.5931.3231.1632.3827.7427.2328.0324.9225.3123.4422.2921.8821.1520.6421.2018.9418.9621.4123.4924.2724.9028.5540.17
26.2923.9625.4224.8619.5922.2424.5422.2023.4324.0821.8627.4827.8228.0425.7817.5114.99-1.08-14.2413.2214.1610.1210.7812.8512.8511.2111.0612.3215.7412.877.8215.1116.1416.327.2115.4213.4112.1211.1215.0014.8312.3020.41-13.4117.2717.5112.9515.8314.8012.9812.3013.1013.0412.0910.5710.127.8513.9715.2915.6218.7925.71
26.2923.9625.4224.8619.5922.2424.5422.2023.4324.0821.8627.4827.8228.0425.7817.5114.99-1.08-14.2413.2214.1610.1210.7812.8512.8511.2111.0612.3215.7412.877.8215.1116.1416.327.2115.4213.4112.1211.1215.0014.8312.3020.41-13.4117.2717.5112.9515.8314.8012.9812.3013.1013.0412.0910.5710.127.8513.9715.2915.6218.7925.71
--------------------------------------------------------------
20.1514.8320.5020.0914.5414.4418.7714.1213.9814.3512.9215.6427.2511.3511.1510.228.23-0.930.959.8510.545.172.805.786.601.314.335.5610.67-1.691.298.5010.579.393.006.627.369.525.997.544.711.8631.73-20.109.18-0.829.8911.451.85-4.344.2010.3816.7812.306.695.9411.408.497.827.97-6.914.49
14.2010.4517.0414.0810.1310.1214.179.979.7910.1114.4516.3426.8411.5111.236.965.62-0.83-2.116.737.303.084.322.003.351.279.443.675.36-1.380.765.055.305.081.782.694.115.712.603.441.950.7420.94-13.275.13-0.685.656.451.38-2.992.395.9510.417.294.003.627.165.385.676.85-3.842.56
0.340.320.390.330.350.350.400.360.390.340.360.190.230.190.210.380.290.30-0.230.340.370.290.290.380.360.330.330.340.330.300.290.310.300.310.340.320.280.230.290.260.250.240.240.250.240.230.270.310.310.290.320.310.310.280.290.340.320.300.320.310.270.18
2.332.042.592.752.522.312.683.102.902.172.152.092.301.631.863.963.092.95-2.283.483.802.803.354.273.863.233.334.003.583.173.053.463.062.563.383.262.832.443.232.852.582.172.172.111.931.802.161.912.001.842.092.061.961.782.102.352.091.671.821.781.450.79
12.3113.4713.6313.048.0510.967.4012.6311.3910.4411.616.436.565.9017.5812.4513.6111.52-9.3211.8312.1411.5513.0218.4112.0515.9510.7026.8414.0212.2711.8214.9817.3315.1916.1022.3723.0914.4915.6914.7714.269.8324.6412.308.809.0416.0122.0216.0412.308.5116.5014.0515.4215049.3939.8131.0429.2434.6921.7469.03
7.316.686.606.9011.188.2212.167.127.908.627.7514.0013.7215.255.127.236.617.81-9.657.607.417.796.914.897.475.648.413.356.427.337.616.015.195.935.594.023.906.215.746.096.319.163.657.3210.239.955.624.095.617.3210.585.456.405.830.601.822.262.903.082.594.141.30
-7.59-4.71-7.82-6.81-4.78-4.31-5.96-4.72-4.71-3.87-3.65-5.22-10.98-3.28-3.31-5.76-3.850.45-0.52-5.73-6.48-2.55-3.71-3.18-4.43-0.93-12.95-6.44-11.091.60-1.12-12.94-15.58-13.90-7.73-28.35-1,167.1081.53-62.13-250.48-41.88-28.06-287.4219.16-10.431.55-20.80-17.42-3.265.80-8.76-26.32-60.52-31.58-25.99-28.93-98.09-89.34-286.91162-298.1655.63
-6.60-4.11-6.83-5.98-4.21-3.80-5.26-4.17-4.17-3.43-3.24-3.80-8.13-2.49-2.85-4.39-2.940.35-0.38-4.02-4.50-1.76-2.50-2.03-2.73-0.55-7.16-3.49-5.780.80-0.55-5.58-6.24-5.13-2.44-5.00-7.24-8.87-4.42-7.14-4.34-1.26-20.9312.29-5.700.78-8.83-8.52-1.723.20-3.97-10.08-19.23-11.47-7.82-7.51-15.12-9.88-11.97-16.647.58-3.04
4.953.426.214.793.693.635.303.703.943.573.531.954.341.541.632.641.68-0.220.242.422.701.051.311.121.420.283.231.452.22-0.300.201.761.851.740.741.151.331.390.901.200.790.244.91-3.291.26-0.161.522.020.44-0.870.841.893.222.101.271.272.261.611.832.09-1.050.45
8.205.499.218.616.496.008.276.876.875.825.513.618.012.883.035.203.54-0.480.506.556.851.842.352.432.880.534.572.173.25-0.430.292.462.572.531.071.661.892.031.271.911.290.4110.15-5.972.00-0.242.423.590.75-1.851.723.696.183.332.002.133.592.502.783.33-2.021.06
-4.53-4.69-4.76-4.96-5.11-5.17-5.22-5.32-5.36-5.43-5.47-3.72-3.84-4.26-4.30-4.32-4.36-4.86-4.63-4.25-4.10-3.99-3.88-3.19-2.89-2.66-2.35-2.13-1.91-1.76-1.80-1.34-1.17-1.02-0.85-0.38-0.010.18-0.15-0.06-0.23-0.09-0.17-1.52-1.02-0.86-0.66-0.84-0.99-1.13-0.80-0.57-0.43-0.53-0.42-0.32-0.17-0.12-0.040.090.020.05
1.400.721.372.221.420.791.192.151.380.491.632.041.450.511.742.092.260.780.841.330.670.131.241.430.840.280.901.410.800.190.680.840.55-0.031.010.970.580.060.820.760.42-0.310.420.450.04-0.080.710.810.490.350.310.510.290.000.580.870.440.100.050.080.470.19
1.380.711.302.161.370.751.122.091.360.481.551.971.430.501.622.042.220.750.761.260.630.111.121.350.780.250.761.310.750.160.490.710.50-0.060.930.920.550.030.640.600.34-0.360.320.38-0.01-0.110.610.740.430.330.380.590.410.080.380.740.370.070.020.060.450.18